OpenCharities

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2025-08-31-accounts

(HARITY comm￿￿ON Tiustees, Annual Report for the period tsmdae) llNEYE4 Seilion A Reference and,Idminislri)lion delc)ils Othw charlty b5 Rtobtered dwrtty numbw (rf Ch¥￿5 a&es5 Poskode •1 body efvthled to appolnt trystw (If ••y) SS&r r)E TJL 10 13 14 15 16 17 18 19 20 Names ol the trustee5 lor the chèrrty, il any {lu exwryle. any CLL%iodian ivusteesl D•tes Mted 11 not lor WIN￿ y••f TAR IAJrch ioiz

Section A Referen(e and administration details {continued) Names and addre55e5 01 adYise15 Type of advlsei lional Inlormation Mome Addiess Name of Ihiel exeC￿l¥e or names ol senhy stall member5 iorwl inlormation Section B Stiu( luie, governance and mantigement Description ol the chaiity's tiusls Type ol goveiniThJ thxumenl (eq trust deed constitution How the charfty15 constituted (eg tNsl ass(Klatbw crynp￿y) TNstee selection melhods (eg apwnted by, ebe(kd bv) Addili¢nal governènce issues (opli¢Jnal inf(ffmat*)n You mly chws• ro include ￿11￿￿1 Infonhoeion, rfe¥ant, about: ' p(diaes and pioceduFes adopted loi the induCt￿n ènd tialnlng of irusiees. . the Iharily'5 ￿ganISat￿nal str￿t￿le and any wldu netwoik wrth vthch the chailty relatlonshlp wlth any relaled paitie%' . trustees, (￿sIdeW0￿.0n of mwr risks arvj the sysl•m and F411 R4(&hSES * VoL&JrMéeQS 2Tr12

Section C objectives and activities Sumrna¥y ol the objecis of the charity set out in its governing document QF¥zÉ hfvjf) eY>)csfkw ia Summary of the rnain activities uftdertaken lor the publii benefit in relation to these objects (include within Ihis section Ihe statutory declaiation that trustees hwe had regard lo the guidance tssued by ihe Chariiy Commi55ion ￿ public benehi) RÉ. PoP)uc Additiond deiails ol Ob)￿tiveS and a(livilies loplional informat￿0) You m•y thoose lo Ind￿ Ivth ststements. wheie iele¥ant. abou1= licy on giantmakin . pc4ky pir4ramme rdated In¥eslmen(' ' (ontribution rrhide by ¥duntee Section D Achievements and perloimance Summary ol the makn athivMIer￿ ol the tharity durir#J Ihe The &AIiLH MefI12S IAèith

Seclion E Financial review Briel st3tement ol the charity's pdicy on reserves -r￿J0 cO￿S Detai15 01 any luThJ5 mateiially in deficit UoyJé£ NJc6. OF Cc>WS . Fuither fi4ancial Feview delails (optional inloimalion) You m•y to induoe addition lThloimatlon. where relevant. aboui.. the chèrTrly's wincipal source5 01 lu[￿5 (In(ludlng any hmdfa15iftg),. . how expend61ure has supported the key obie(ti7•ES of the chwity.. . Investment pollcy and objectives irKludkng any ethical investment p¢4icy adopted. l TrJTII CAILOEeDJ cr(Jl Qcxr4Jtr fvtsJfJkAIS I Cr . Section F Othef oplional information Section G Declaiatio The trusiees dedaie that they have appwoved iru5tees' rep￿1 above Signed on behalf of the charity's trustee5 S#ythrfs) e*X Fi Pogtion leg Se(retffj. (1¥3ir. et() Thj IIEYE TAR Mai<h 2012

INCOME
for WINFRITH PRE-SCHOOL 1st September 2024 to 31st August 2025
INCOME
for WINFRITH PRE-SCHOOL 1st September 2024 to 31st August 2025
INCOME
for WINFRITH PRE-SCHOOL 1st September 2024 to 31st August 2025
INCOME
for WINFRITH PRE-SCHOOL 1st September 2024 to 31st August 2025
INCOME
for WINFRITH PRE-SCHOOL 1st September 2024 to 31st August 2025
INCOME
for WINFRITH PRE-SCHOOL 1st September 2024 to 31st August 2025
INCOME
for WINFRITH PRE-SCHOOL 1st September 2024 to 31st August 2025
INCOME
for WINFRITH PRE-SCHOOL 1st September 2024 to 31st August 2025
INCOME
for WINFRITH PRE-SCHOOL 1st September 2024 to 31st August 2025
INCOME
for WINFRITH PRE-SCHOOL 1st September 2024 to 31st August 2025
INCOME
for WINFRITH PRE-SCHOOL 1st September 2024 to 31st August 2025
MONTH ONE: September 2024
DATE DESCRIPTION TYPE TOTAL FUNDING FEES DONATIONS SNACK BAR MILK F.RAISING MISC INTEREST Training
Unfunded Fees £ 578.00 £ 578.00
Dorset Council £ 1,176.00 1,176.00
Fund Raising
Donatons
PetyCash £ 257.55 £ 40.00 £ 217.55
TOTALS £ 2,011.55 £ 1,176.00 £ 578.00 £ - £ 40.00 £ - £ - £ 217.55 £ - £ -
MONTH TWO: October 2024
Unfunded Fees £ 815.50 £ 815.50
Dorset Council £ 6,965.70 £ 6,965.70
Fund Raising
Donatons
PetyCash £ 295.20 £ 90.00 £ 85.00 £ 120.20
HMRC MAT Pay £ 6,601.94 £ 6,601.94
TOTALS £ 14,678.34 £ 13,567.64 £ 815.50 £ 90.00 £ 85.00 £ - £ 120.20 £ - £ - £ -
£ 14,743.64 £ 1,393.50 £ 90.00 £ 125.00 £ - £ 120.20 £ 217.55 £ - £ -
MONTH THREE: November 202 4
Unfunded Fees £ 815.50 £ 815.50
Dorset Council
Fund Raising £ 6.00 £ 6.00
Donatons
PetyCash £ 34.70 £ 34.70
Bank Loan
CommunityFoods/Win New.
TOTALS £ 856.20 £ - £ 815.50 £ - £ - £ - £ 40.70 £ - £ - £ -
MONTH FOUR: December 2024
Unfunded Fees £ 166.00 £ 166.00
Dorset Council £ 5,939.05 £ 5,939.05
Fund Raising
Donatons
PetyCash £ 245.60 £ 40.00 £ 205.60
TOTALS £ 6,350.65 £ 5,939.05 £ 166.00 £ - £ 40.00 £ - £ 205.60 £ - £ - £ -
MONTH FIVE: January2025
Unfunded Fees £ 694.00 £ 694.00
Dorset Council £ 105.00 £ 105.00
Fund Raising £ 171.70 £ 171.70
Donatons £ 46.31 £ 46.31
PetyCash
TOTALS £ 1,017.01 £ 105.00 £ 694.00 £ 46.31 £ - £ - £ 171.70 £ - £ - £ -
MONTH SIX: February2025
Unfunded Fees £ 412.00 £ 412.00
Funded Fees £ 6,457.96 £ 6,457.96
Fund Raising £ 318.10 £ 318.10
Donatons
PetyCash £ 135.00 £ 20.00 £ 115.00
Refund Wages overpayment
TOTALS £ 7,323.06 £ 6,457.96 £ 412.00 £ 20.00 £ - £ - £ 433.10 £ - £ - £ -
MONTH SEVEN: March 2025
Unfunded Fees £ 546.00 £ 546.00
Dorset Council £ 8,750.26 £ 8,750.26
Fund Raising £ 78.20 £ 78.20
Donatons £ 300.00 £ 300.00
PetyCash: Mothers Day £ 135.00 £ 20.00 £ 115.00
Lambing& Easter EggHunt
TOTALS £ 9,809.46 £ 8,750.26 £ 546.00 £ 320.00 £ - £ - £ 193.20 £ - £ - £ -
MONTH EIGHT: April 2025
Unfunded Fees £ 242.00 £ 242.00
Dorset Council £ 359.00 £ 359.00
Fund Raising £ 6.00 £ 6.00
Donatons £ 15.00 £ 15.00
PetyCash
TOTALS £ 622.00 £ 359.00 £ 242.00 £ 15.00 £ - £ - £ 6.00 £ - £ - £ -
MONTH NINE: May2025
Unfunded Fees £ 590.00 £ 590.00
Dorset Council £ 6,882.39 £ 6,882.39
Fund Raising
Donatons
PetyCash £ 84.80 £ 4.80 £ 80.00
TOTALS £ 7,557.19 £ - £ 7,472.39 £ 4.80 £ 80.00 £ - £ - £ - £ - £ -
MONTH TEN June 2025
Unfunded Fees £ 1,047.00 £ 1,047.00
Dorset Council
Fund Raising £ 11.62 £ 11.62
Donatons
PetyCash £ 100.00 £ 20.00 £ 80.00
Refund Bank
School Trip
TOTALS £ 1,158.62 £ - £ 1,047.00 £ 20.00 £ 80.00 £ - £ 11.62 £ - £ - £ -
MONTH ELEVEN: July2025
Unfunded Fees £ 83.75 £ 83.75
Dorset Council
Fund Raising £ 9.45 £ 9.45
Donatons
PetyCash £ 231.70 £ 40.00 £ 191.70
School Trip
Bank a/c Adjustment
TOTALS £ 324.90 £ - £ 83.75 £ - £ 40.00 £ - £ 201.15 £ - £ - £ -
MONTH TWELVE: Aug2025
Unfunded Fees £ 62.50 £ 62.50
Dorset Council £ 5,815.95 £ 5,815.95
Fund Raising £ 194.75 £ 194.75
Donatons
PetyCash £ 4.00 £ 4.00
TOTALS £ 6,077.20 £ 5,815.95 £ 62.50 £ - £ - £ - £ 198.75 £ - £ - £ -
Yr Total £ 57,785.84 £ 42,170.86 £ 516.11 £ 365.00 £ - ### £ 217.55 £ - £ -

OPENING ACCOUNTS Check £ 578.00 £ 1,176.00 £ - £ - £ 257.55 Dorch Show £ - £ 2,011.55 £ 815.50 £ 6,965.70 £ - £ - £ 295.20 £ 6,601.94 EP Mat Pay £ - £ 14,678.34 £ 16,689.89 £ 815.50

£ 6.00 £ 34.70 £ - £ 856.20 £ 166.00 £ 5,939.05 £ 245.60 £ - £ - £ - £ - £ - £ 6,350.65 £ 694.00

£ 105.00 £ 171.70 £ 46.31 £ - £ - £ - £ 1,017.01 £ 412.00 £ 6,457.96 £ 318.10 £ 135.00

£ 7,323.06 £ 546.00 £ 8,750.26 £ 78.20 £ 300.00 £ 135.00 £ - £ - £ - £ 9,809.46 £ 242.00 £ 359.00 £ 6.00 £ 15.00 £ - £ - £ - £ - £ 622.00

£ 590.00 £ 6,882.39 £ 84.80 £ 7,557.19 £ 1,047.00 £ - £ 11.62 Scrap Metal £ 100.00 £ 1,158.62

£ 83.75 £ - £ 9.45 £ - £ 231.70 £ - £ - £ - £ - £ - £ - £ 324.90 £ 62.50 £ 5,815.95 £ 194.75 Vinted/Rag B £ - £ 4.00 £ -

6.077.20 £ 57,785.84

EXPENDITURE for WINFRITH PRE-SCHOOL 1st September 2024 to 31st August 2025

MONTH ONE: Sept 2024
DATE DESCRIPTION FILE TOTAL WAGES HMRC EQUIP LOAN F.RAISING TRAINING BANKED EYA/OFS/HR UTILITIES
Wages P £ 1,936.18 1936.18
HMRC BACS
Exspenses NP
Training NP
NEST Pension BACS £ 265.99
PetyCash PC £ 218.30 198.00
Lulworth Pre-school/Rent Leci P
EarlyYears Alliance/Inc. Ins. P
Ofsted P
VikingOfce/Toiletries Supplies P £ 163.91
Maintenance NP/P
Peninsula HR/H & S BACS £ 329.65 £ 329.65
XLN Phone/Broadband BACS £ 105.70 £ 105.70
PHS Waste Management P
Loan Repayments BACS £ 88.11 £ 88.11
£ 3,107.84 £ 2,134.18 £ - £ - £ 88.11 £ - £ - £ - £ 329.65 £ 105.70
MONTH TWO: Oct 2024
Wages P £ 9,854.77 £ 9,854.77
HMRC P
Exspenses NP £ 108.93
Training T
NEST Pensions BACS £ 172.00
Resources
PetyCash PC £ 50.00 £ 50.00
Maintenance NP/P
XLN Phone/Broadband/DAISY P £ 105.70 £ 105.70
Peninsula HR/H & S/OFSTED P £ 389.55 £ 389.55
Rent/Electric P
PPLPRS Music Licence NP
VikingOfce/Toiletries Supplies P
PHS Waste Management P
EarlyYears Alliance P
Bank Loan BACS £ 87.78 £ 87.78
TOTALS £ 10,768.73 £ 9,854.77 £ - £ - £ 87.78 £ - £ - £ 50.00 £ 389.55 £ 105.70
MONTH THREE: Nov 2024 File
Wages P £ 1,839.54 £ 1,839.54
HMRC BACS
Exspenses NP
Level 3 Peads. 1st Aid NP
NEST Pensions BACS £ 107.62
PetyCash PC £ 174.00 £ 174.00
Peninsula HR/H & S P £ 185.75 £ 185.75
XLN Pone/Broadband P £ 105.70 £ 105.70
VikingOfce/Toiletries Supplies P £ 144.18
PHS Waste Management P £ 707.46 £ 707.46
Maintenance - Plumbing NP/P
Hope Educaton
Bank Loan BACS £ 87.75 £ 87.75
Insurance BACS £ 569.11 £ 569.11
TOTALS £ 3,921.11 £ 2,013.54 £ - £ - £ 87.75 £ - £ - £ - £ 185.75 ###
MONTH FOUR: Dec 2024 File
Wages P £ 4,060.33 £ 4,060.33
HMRC P
Exspenses NP
Training T
NEST Pensions BACS £ 112.95
PetyCash PC £ 3.00
Peninsula HR/H & S P £ 339.34 £ 339.34
XLN Phone/Broadband Daisy P £ 105.70 £ 105.70
VikingOfce/Toiletries Supplies P
PHS Waste Management P
EarlyYears Alliance P
Bank Loan Repayment BACS £ 87.44 £ 87.44
Insurance £ 119.85 £ 119.85
TOTALS £ 4,828.61 £ 4,060.33 £ - £ - £ 87.44 £ - £ - £ - £ 339.34 £ 225.55
MONTH FIVE: January2025
Wages P
HMRC BACS
Exspenses NP £ 50.00
Training T
NEST Pensions BACS £ 113.89
PetyCash PC £ 270.00 £ 150.00 £ 115.00
Peninsula HR/H & S P £ 381.14 £ 381.14
XLN Phone/Broadband/DAISY P £ 120.52 £ 120.52
Dorset Council P
Rent/Electric P
VikingOfce/ToiletriesSupplies P
Parish News NP
Bank Loan Repayments BACS £ 87.40 £ 87.40
PHS - Waste Management P
Fare Share
TOTALS £ 1,022.95 £ 150.00 £ - £ - £ 87.40 £ - £ - £ 115.00 £ 381.14 £ 120.52
MONTH SIX: February2025
Wages P £ 6,024.71 £ 6,024.71
HMRC BACS
Exspenses NP
Training T
NEST Payments BACS £ 117.45
PetyCash PC
Peninsula HR/H & S P £ 169.20 £ 169.20
XLN Phone/Broadband/DAISY P £ 120.52 £ 120.52
Rent/Electric P
Maintenance/Repairs NP
VikingOfce & Toiletries P
P T Newberry/Laptop NP
PHS/Waste Management P
Bank Loan Repayments BACS £ 87.22 £ 87.22
Advertsing NP
Dorset Council P
Insurance £ 94.85 £ 94.85
TOTALS £ 6,613.95 £ 6,024.71 £ - £ - £ 87.22 £ - £ - £ - £ 169.20 £ 215.37
MONTH SEVEN: March 2025
Wages P £ 4,688.38 £ 4,688.38
HMRC BACS £ 255.27 £ 255.27
Exspenses NP
Training T
NEST Pensions BACS £ 126.46
PetyCash PC £ 26.26 £ 26.26
Peninsula HR/H & S P £ 169.20 £ 169.20
XLN Phone/Broadband/DAISY P £ 120.52 £ 120.52
Viking/Ofce & Toiletries P £ 175.08
Parish News NP
Bank Loan Repayments BACS £ 86.69 £ 86.69
PHS/Waste Management P
PPL PRS/Music Licence NP
Insurance £ 94.85 £ 94.85
TOTALS £ 5,742.71 £ £ 255.27 £ - £ 86.69 £ 26.26 £ - £ - £ 169.20 £ 215.37
MONTH EIGHT: April 2025
Wages P £ 3,199.30 £ 3,199.30
HMRC BACS £ 524.34 £ 524.34
Exspenses NP
Training T
NEST Pensions BACS £ 286.56
PetyCash PC £ 67.18 £ 40.00 £ 9.90
Peninsula HR/H & S P £ 169.20 £ 169.20
XLN Phone/Broadband/DAISY P £ 120.52 £ 120.52
VikingOfce/Toiletries Supplies P
EarlyYears Alliance P
Bank Loan Repayment BACS £ 86.87 £ 86.87
Rent/Electric P
PPL/Music License NP
PHS/Waste Management P
TOTALS £ 4,453.97 £ 3,239.30 £ 524.34 £ - £ 86.87 £ 9.90 £ - £ - £ 169.20 £ 120.52
MONTH NINE: May2025
Wages P £ 4,035.77 £ 4,035.77
HMRC BACS
Exspenses NP
Traianing T
NEST Pensions BACS
PetyCash PC £ 92.00 £ 50.00
Peninsula HR/H & S P £ 169.20 £ 169.20
XLN Phone/Broadband P £ 120.52 £ 120.52
GLS Educ Supplies P
PPLPRS Music License NP
EarlyYears Alliance P
Rent/Electric P
EY LOG P
Bank Loan Repayments BACS £ 86.58 £ 86.58
Viking/Ofce & Toiletries P
PHS/Waste Management P
TOTALS £ 4,504.07 £ 4,035.77 £ - £ 86.58 £ - £ - £ 50.00 £ 169.20 £ 120.52
MONTH TEN: June 2025
Wages P £ 4,003.91 £ 4,003.91
HMRC BACS £ 255.27 £ 255.27
Exspenses NP
Training T
NEST Pensions BACS £ 130.69
PetyCash PC £ 156.40 £ 50.00 £ 86.40
Peninsula HR/H & S P £ 169.20 £ 169.20
XLN Phone/Broadband P £ 120.52 £ 120.52
EY Log P £ 22.80 £ 22.80
EarlyYears Alliance P
PHS/Waste Management P
Maintenance NP
Bank Loan Repayments BACS £ 86.52 £ 86.52
Rent/Electric P
Viking/Ofce & Toiletries P
EOY Trip NP
EY Log P
PPL PRS M License £ 33.80 £ 33.80
Insurance £ 86.82 £ 86.82
TOTALS £ 5,065.93 £ 4,053.91 £ 255.27 £ - £ 86.52 £ - £ - £ - £ 278.40 £ 241.14
MONTH ELEVEN: July2025
Wages P
HMRC BACS
Exspenses NP
Training T
NEST Pensions BACS £ 153.93
PetyCash PC £ 42.16
Peninsula HR/H & S P
XLN Phone/Broadband P £ 120.52 £ 120.52
EarlyYears Alliance P
Viking/Ofce & Toiletries P
Bank Loan Repayments BACS £ 86.24 £ 86.24
PHS/Waste Management P
EY Works £ 22.80 £ 22.80
PPL PRS M Lisence
TOTALS £ 425.65 £ - £ - £ 86.24 £ - £ - £ - £ 22.80 £ 120.52
MONTH TWELVE: August 2025
Wages P
HMRC BACS
Exspenses NP
Training T
NEST Pensions BACS
PetyCash PC £ 110.00 £ 50.00 £ 60.00
Peninsula HR/H & S P
XLN Phone/Broadband P
Bank Loan Repayments P
Dorset Council P
PHS/Wastse Management
EY Works £ 22.80 £ 22.80
TOTALS £ 132.80 £ 50.00 £ £ - £ - £ - £ - £ - £ 82.80 £ -
£ 50,588.32 £ £ - £ - £ - £ - £ - £ -
EXPENSES PETTY CASH RESOURCES PENSION Total
£ 1,936.18
£ -
£ -
£ -
£ 265.99 £ 265.99
£ 20.30 £ 218.30
£ -
£ -
£ -
£ 163.91 £ 163.91
£ -
£ 329.65
£ 105.70
£ -
£ 88.11
£ -
£ -
£ -
£ -
£ -
£ -
£ - £ - £ 184.21 £ 265.99 £ 3,107.84
£ 9,854.77
£ -
£ 108.93 £ 108.93
£ -
£ 172.00 £ 172.00
£ -
£ 50.00
£ -
£ 105.70
£ 389.55
£ -
£ -
£ -
£ -
£ -
£ 87.78
£ -
£ 108.93 £ - £ - £ 172.00 £ 10,768.73
£ 1,839.54
£ -
£ -
£ -
£ 107.62 £ 107.62
£ 174.00
£ 185.75
£ 105.70
£ 144.18 £ 144.18
£ 707.46
£ -
£ -
£ 87.75
£ 569.11
£ - £ - £ 144.18 £ 107.62 £ 3,921.11

Err:522

£ 4,060.33
£ -
£ -
£ 112.95 £ 112.95
£ 3.00 £ 3.00
£ 339.34
£ 105.70
£ -
£ 87.44
£ 119.85
£ -
£ - £ - £ 3.00 £ 112.95 £ 4,828.61
£ -
£ -
£ 50.00 £ 50.00
£ 113.89 £ 113.89
£ 5.00 £ 270.00
£ 381.14
£ 120.52
£ -

£ - £ 87.40 £ - £ - £ 50.00 £ 5.00 £ - £ 113.89 £ 1,022.95 £ 6,024.71 £ - £ - £ - £ 117.45 £ 117.45 £ - £ 169.20 £ 120.52 £ - £ - £ - £ - £ - £ 87.22 £ - £ - £ 94.85 £ - £ - £ - £ 117.45 £ 6,613.95 £ 4,688.38

£ 255.27
£ -
£ -
£ 126.46 £ 126.46
£ 26.26
£ 169.20
£ 120.52
£ 175.08 £ 175.08
£ 86.69
£ -
£ 94.85
£ - £ - £ 175.08 £ 126.46 £ 5,742.71
£ 3,199.30
£ 524.34
£ -
£ -
£ 286.56 £ 286.56
£ 17.28 £ 67.18
£ 169.20
£ 120.52
£ -
£ -
£ 86.87
£ -
£ -
£ - £ - £ 17.28 £ 286.56 £ 4,453.97
£ 4,035.77
£ -
£ -
£ -
£ -
£ 42.00 £ 92.00
£ 169.20
£ 120.52
£ -
£ -
£ -
£ 86.58
£ -
£ - £ - £ 42.00 £ - £ 4,504.07
£ 4,003.91
£ 255.27
£ -
£ -
£ 130.69 £ 130.69
£ 20.00 £ 156.40
£ 169.20
£ 120.52
£ 22.80
£ -
£ -
£ -
£ 86.52
£ -
£ -
£ -
£ -
£ 33.80
£ 86.82
£ - £ - £ 20.00 £ 130.69 £ 5,065.93
£ -
£ -
£ -
£ 153.93 £ 153.93
£ 32.16 £ 10.00
£ 42.16
£ -
£ 120.52
£ 86.24
£ 22.80

£ 32.16 £ - £ 10.00 £ 153.93 £ 425.65 £ 110.00 £ - £ - £ 22.80 £ - £ - £ - £ - £ - £ - £ - £ - £ - £ - £ - £ 132.80 £ - £ - £ - £ - £ 50,588.32

REFI

Proft and loss and balance sheet for Winfrith Pre-school

Proft and loss report
INCOME EXPENDITURE
Funding £ 42,170.86 Wages £ 52,081.77
Fees £ - HMRC #NAME?
Donatons £ 516.11 Equipment #NAME?
Grants £ 365.00 Snack #NAME?
Milk £ - Fundraising #NAME?
Fundraising £ 1,582.02 Trips #NAME?
Misc £ 217.55 Training #NAME?
Interest £ - PLA/OFSTED #NAME?
Blank £ - Utlites #NAME?
Blank Expenses #NAME?
Pety Cash #NAME?
Resources #NAME?
Misc #NAME?
£ 132.80
Total £ 44,851.54 total #NAME?
Total £ - total £ 132.80
Proft/Loss #NAME?

1st September 2021 to 31st August 2022

Balance sheet
ACCOUNTS Opening cash positon 5,452.91
Proft/loss #NAME?
Closing cash positon #NAME?
BANK £ 1,433.51
ACCOUNT
TOTAL £ -
NOTE
THE TWO GREEN NUMBERS SHOULD BE THE SAME

Appendix 3.1 Cash flow layout

WINFRITH PRE-SCHOOL Sept Oct Nov Dec Jan Feb Mar Apr May Jun Jul Aug
Balance brought forward -1,097 2,812 -253 1,269 1,263 1,972 6,038 2,206 5,259 1,352 1,251
Receipts
Fees received 2,011 14,678 856 6,351 1,017 7,323 9,809 622 7,557 1,159 325 6,077
Fundingreceived
Bank Returned DD
Fundraising/Donations
Payments
Salaries
Rent
Equipment and supplies
Other costs 3108 10769 3921 4829 1023 6614 5743 4454 4504 5066 426 133
Total receipts 2,011 13,581 3,668 6,098 2,286 8,586 11,781 6,660 9,763 6,418 1,677 7,328
Totalpayments 3,108 10,769 3,921 4,829 1,023 6,614 5,743 4,454 4,504 5,066 426 133
Balance carried forward -1,097 2,812 -253 1,269 1,263 1,972 6,038 2,206 5,259 1,352 1,251 7,195
3 Term Budget Forecast & Monitoring Form 3 Term Budget Forecast & Monitoring Form 3 Term Budget Forecast & Monitoring Form 3 Term Budget Forecast & Monitoring Form 3 Term Budget Forecast & Monitoring Form 3 Term Budget Forecast & Monitoring Form 3 Term Budget Forecast & Monitoring Form 3 Term Budget Forecast & Monitoring Form
AUTUMN AUTUMN SPRING SPRING SUMMER SUMMER Year Total Year Total
Projected Actual Projected Actual Projected Actual Projected Actual
RECEIPTS
FUNDING AT £12 PER
SESSION,3 HR(3YRS)
FUNDING AT £12.60 PER
SESSION,3 HR 2YRS
FEES AT £15 PER
SESSION,3 HR
MILK REFUND
TODDLER FEES
LUNCH CLUB
AFTERSCHOOL CLUB
GRANTS AND DONATIONS
BANK INTEREST
OTHER RECEIPTS

TOTAL RECEIPTS PAYMENTS August Sept Oct Nov Dec Jan Feb March April May

June
July
Staf wages total
Admin/stationery/Postage
PLA wages fee
Telephone/Internet
Rent
Equipment/Toys
Groceries
Courses/subs
Insurance & memberships 0 0 0
Misc

TOTAL PAYMENTS SURPLUS/DEFICIT

Fundraising Tagets 0 0 0

END OF YEAR BOOK CHECKING SERVICE CONTRACT

Nicola Hooper agrees to act as an Independent Examiner

for……………………………………………………………………………………………………………..

The examination will involve a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It will also involve a review of those accounts and consideration of any unusual items or disclosures identified. I agree to produce an Independent Examiners Report as required by the Charity Commission.

I agree to provide the report within one month of receiving the books providing that they are presented in an acceptable condition and all items on the checklist are included.

I (on behalf of the charity) agree that the income of the charity is between £25,000 and 1 Million and assets are below 3.25 Million

I (on behalf of the charity) confirm there is no audit requirement under the charity’s governing document, or placed on the charity by a donor or financier.

Signed (on behalf of the charity)………………………………………….. Position…………………………… Signed (on behalf of the charity)…………………………………………… Position…………………………… Contact details _______________

Contact details/ Name, Email and phone number please.